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Debt and Other Obligations Debt and Other Obligations - Debt Outstanding (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Sep. 30, 2014
Electronotes
Sep. 30, 2013
Short-term debt    
Short-term debt, net of discounts $ 596 $ 2,432
Current maturities of long-term debt of variable interest entities 32 30
Current maturities of power bonds 1,032 32
Total current debt outstanding, net 1,660 2,494
Long-term debt    
Unamortized discount, premiums and other (89) (85)
Long-term debt of variable interest entities 1,279 1,311
Total long-term debt, net 23,227 23,626
Long-term power bonds 22,037 [1] 22,400 [1]
Long-term Debt, net 21,948 22,315
Current maturities of power bonds 1,032 32
Foreign currency exchange loss 44 43
Number of issues with partial maturities 1  
Electronotes
   
Long-term debt    
Long-term Debt, net 387 [2] 723 [2]
Maturity date - earliest May 15, 2020  
Maturity date - latest Feb. 15, 2043  
Coupon rate - minimum 2.375%  
Coupon rate - maximum 4.375%  
Call date - earliest Feb. 15, 2015  
Call date - latest Feb. 15, 2018  
880591DY5
   
Debt Instrument    
Maturity Jun. 15, 2015  
Coupon rate 4.375%  
Long-term debt    
Long-term Debt, net 0 1,000
880591EE8
   
Debt Instrument    
Maturity Nov. 15, 2015  
Coupon rate 2.25%  
Long-term debt    
Long-term Debt, net 2 [3] 4 [3]
880591DS8
   
Debt Instrument    
Maturity Dec. 15, 2016  
Coupon rate 4.875%  
Long-term debt    
Long-term Debt, net 524 524
880591EA6
   
Debt Instrument    
Maturity Jul. 18, 2017  
Coupon rate 5.50%  
Long-term debt    
Long-term Debt, net 1,000 1,000
880591CU4
   
Debt Instrument    
Maturity Dec. 15, 2017  
Coupon rate 6.25%  
Long-term debt    
Long-term Debt, net 650 650
880591EC2
   
Debt Instrument    
Maturity Apr. 01, 2018  
Coupon rate 4.50%  
Long-term debt    
Long-term Debt, net 1,000 1,000
880591EQ1
   
Debt Instrument    
Maturity Oct. 15, 2018  
Coupon rate 1.75%  
Long-term debt    
Long-term Debt, net 1,000 1,000
880591EL2
   
Debt Instrument    
Maturity Feb. 15, 2021  
Coupon rate 3.875%  
Long-term debt    
Long-term Debt, net 1,500 1,500
880591DC3
   
Debt Instrument    
Maturity Jun. 07, 2021  
Coupon rate 5.805%  
Long-term debt    
Long-term Debt, net 324 [4] 324 [4]
880591EN8
   
Debt Instrument    
Maturity Aug. 15, 2022  
Coupon rate 1.875%  
Long-term debt    
Long-term Debt, net 1,000 1,000
880591ER9
   
Debt Instrument    
Maturity Sep. 15, 2024  
Coupon rate 2.875%  
Long-term debt    
Long-term Debt, net 1,000 0
880591CJ9
   
Debt Instrument    
Maturity Nov. 01, 2025  
Coupon rate 6.75%  
Long-term debt    
Long-term Debt, net 1,350 1,350
880591300
   
Debt Instrument    
Maturity Jun. 01, 2028  
Coupon rate 3.83%  
Long-term debt    
Long-term Debt, net 324 [5] 324 [5]
880591409
   
Debt Instrument    
Maturity May 01, 2029  
Coupon rate 3.955%  
Long-term debt    
Long-term Debt, net 270 [5] 270 [5]
880591DM1
   
Debt Instrument    
Maturity May 01, 2030  
Coupon rate 7.125%  
Long-term debt    
Long-term Debt, net 1,000 1,000
880591DP4
   
Debt Instrument    
Maturity Jun. 07, 2032  
Coupon rate 6.587%  
Long-term debt    
Long-term Debt, net 406 [4] 405 [4]
880591DV1
   
Debt Instrument    
Maturity Jul. 15, 2033  
Coupon rate 4.70%  
Long-term debt    
Long-term Debt, net 472 472
880591EF5
   
Debt Instrument    
Maturity Jun. 15, 2034  
Coupon rate 3.77%  
Long-term debt    
Long-term Debt, net 388 [3] 414 [3]
880591DX7
   
Debt Instrument    
Maturity Jun. 15, 2035  
Coupon rate 4.65%  
Long-term debt    
Long-term Debt, net 436 436
880591CK6
   
Debt Instrument    
Maturity Apr. 01, 2036  
Coupon rate 5.98%  
Long-term debt    
Long-term Debt, net 121 121
880591CS9
   
Debt Instrument    
Maturity Apr. 01, 2036  
Coupon rate 5.88%  
Long-term debt    
Long-term Debt, net 1,500 1,500
880591CP5
   
Debt Instrument    
Maturity Jan. 15, 2038  
Coupon rate 6.15%  
Long-term debt    
Long-term Debt, net 1,000 1,000
880591ED0
   
Debt Instrument    
Maturity Jun. 15, 2038  
Coupon rate 5.50%  
Long-term debt    
Long-term Debt, net 500 500
880591EH1
   
Debt Instrument    
Maturity Sep. 15, 2039  
Coupon rate 5.25%  
Long-term debt    
Long-term Debt, net 2,000 2,000
880591EP3
   
Debt Instrument    
Maturity Dec. 15, 2042  
Coupon rate 3.50%  
Long-term debt    
Long-term Debt, net 1,000 1,000
880591DU3
   
Debt Instrument    
Maturity Jun. 07, 2043  
Coupon rate 4.962%  
Long-term debt    
Long-term Debt, net 243 [4] 243 [4]
880591CF7
   
Debt Instrument    
Maturity Jul. 15, 2045  
Coupon rate 6.235%  
Long-term debt    
Long-term Debt, net 140 140
Call date - earliest Jul. 15, 2020  
880591EB4
   
Debt Instrument    
Maturity Jan. 15, 2048  
Coupon rate 4.875%  
Long-term debt    
Long-term Debt, net 500 500
880591DZ2
   
Debt Instrument    
Maturity Apr. 01, 2056  
Coupon rate 5.375%  
Long-term debt    
Long-term Debt, net 1,000 1,000
880591EJ7
   
Debt Instrument    
Maturity Sep. 15, 2060  
Coupon rate 4.625%  
Long-term debt    
Long-term Debt, net 1,000 1,000
880591EE8
   
Debt Instrument    
Maturity Nov. 15, 2014  
Coupon rate 2.25%  
Long-term debt    
Current maturities of power bonds 3 3
880591EF5
   
Debt Instrument    
Maturity Dec. 15, 2014  
Coupon rate 3.77%  
Long-term debt    
Current maturities of power bonds 26 26
880591CW0
   
Debt Instrument    
Maturity Jun. 15, 2015  
Coupon rate 4.375%  
Long-term debt    
Current maturities of power bonds   0
880591DY5
   
Long-term debt    
Current maturities of power bonds 1,000  
88059TEL1
   
Debt Instrument    
Maturity Nov. 15, 2014  
Coupon rate 2.65%  
Long-term debt    
Current maturities of power bonds $ 3 $ 3
[1] Includes net exchange losses from currency transactions of $44 million at September 30, 2014 and $43 million at September 30, 2013.
[2] Includes one electronotes® issue with partial maturities of principal for each required annual payment.
[3] These Bonds include partial maturities of principal for each required annual payment.
[4] The coupon rate represents TVA’s effective interest rate.
[5] TVA PARRS, CUSIP numbers 880591300 and 880591409, may be redeemed under certain conditions. See Put and Call Options.